DFX Intelligence

Allocator Intelligence

The capital-owner graph behind private markets. Who owns the capital, who decides, how much, under what policy, on whose advice, to which managers, and what changed, with a source and a date behind every row. A target is never an actual, a disclosed holding is never an approval, and an estimate says so.

Corporate pension

Maimonides Medical Center Pension Plan

Corporate pensionBrooklyn, NY
Assets
$155M
Total assets, Dec 31, 2024 reported
Funded
84.2%
Jan 1, 2024
Private markets target
n/a
policy Dec 31, 2024
Commitments
15
none on the tape
Plan sponsor: Maimonides Medical Center
Allocation policy
Form 5500, as of Dec 31, 2024
Actual allocation lines without a target (as filed)
  • Interest-bearing cash 2.3%
  • Common/collective trusts 96.6%
Consultants and advisers
3 firms
People
No investment staff or executives have been read for this allocator yet.
Manager roster
1 managers on the commitment tape
From the plan’s own commitment disclosures
Commitments
15 rows, 0 dated closings
Disclosed holdings (from the plan’s performance or holdings report, as of the report date)
DateFundManagerBucketAmountVintageStatusSource
as of Dec 31, 2024Eafe Equity Index Fundcollective trustBlackrockPublic equity$26.4M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2024Russell 3000 Index Fundcollective trustBlackrock Institutional TrustPooled vehicles$53.3M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2024Long Govt/credit Bond Index Fundcollective trustBlackrock Institutional TrustPrivate credit$51.5M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2024Intermediate Agg Bond Index Fundcollective trustBlackrock Institutional TrustFixed income$15.1M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2024US Debt Index Fundcollective trustBlackrockPrivate credit$3.7M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2023Eafe Equity Index Fundcollective trustBlackrockPublic equity$26.3M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2023Russell 3000 Index Fundcollective trustBlackrock Institutional TrustPooled vehicles$51.1M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2023Long Govt/credit Bond Index Fundcollective trustBlackrock Institutional TrustPrivate credit$53.6M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2023Intermediate Agg Bond Index Fundcollective trustBlackrock Institutional TrustFixed income$14.7M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2023US Debt Index Fundcollective trustBlackrockPrivate credit$3.7M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2022Eafe Equity Index Fundcollective trustBlackrockPublic equity$26.2M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2022Russell 3000 Index Fundcollective trustBlackrock Institutional TrustPooled vehicles$47.1M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2022Long Govt/credit Bond Index Fundcollective trustBlackrock Institutional TrustPrivate credit$49.9M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2022Intermediate Agg Bond Index Fundcollective trustBlackrock Institutional TrustFixed income$14.0M heldDisclosed holdingaskebsa.dol.gov
as of Dec 31, 2022US Debt Index Fundcollective trustBlackrockPrivate credit$3.5M heldDisclosed holdingaskebsa.dol.gov
Size and funding
33 readings
Total assets
$155M Dec 31, 2024 reported Form 5500
$157M (2023-12) · $142M (2022-12)
Plan assets
$156M Jan 1, 2024 reported Form 5500
$142M (2023-01) · $195M (2022-01)
Net assets
$155M Dec 31, 2024 reported Form 5500
$157M (2023-12) · $142M (2022-12)
Funded ratio
84.2% Jan 1, 2024 reported Form 5500
80.8% (2023-01) · 97.4% (2022-01)
Funding target
$195M Jan 1, 2024 reported Form 5500
$192M (2023-01) · $187M (2022-01)
Discount rate
5.22% Jan 1, 2024 reported Form 5500
5.36% (2023-01) · 5.54% (2022-01)
Participants
1,915 Jan 1, 2024 reported Form 5500
1,928 (2023-01) · 1,939 (2022-01)
Contributions
$5.0M Dec 31, 2024 reported Form 5500
$4.3M (2023-12) · $0 (2022-12)
Benefits paid
$15.9M Dec 31, 2024 reported Form 5500
$9.1M (2023-12) · $12.5M (2022-12)
Net investment income
$-1.3M Dec 31, 2024 reported Form 5500
$14.3M (2023-12) · $-52.2M (2022-12)
Investment management fees
$82,586 Dec 31, 2024 reported Form 5500
$60,098 (2023-12) · $119,759 (2022-12)
Form 5500 filings
3 plan years
Plan yearParticipantsAssets (SB market)Funding targetFTAPTotal assets (H)Partnerships / JVMaster trustReal estate
2024 to Dec 31, 20241,915$156M$195M84.2%$155Mn/an/an/a
2023 to Dec 31, 20231,928$142M$192M80.8%$157Mn/an/an/a
2022 to Dec 31, 20221,939$195M$187M97.4%$142Mn/an/an/a
Service providers and investment entities as filed (Schedule C and D, latest year first)
  • Milliman, Inc. codes 11 50 $365,008 PY2024
  • Blackrock Institutional Trust Co. codes 21 24 28 50 51 $82,586 PY2024
  • Mcdermott Will & Emery LLP codes 29 50 $62,209 PY2024
  • Bank of America codes 21 50 62 $57,632 PY2024
  • Kelley Drye codes 29 50 $18,242 PY2024
  • Long Govt/credit Bond Index Fund Sched. D C $51.5M PY2024
  • Eafe Equity Index Fund Sched. D C $26.4M PY2024
  • Russell 3000 Index Fund Sched. D C $53.3M PY2024
  • Intermediate Agg Bond Index Fund Sched. D C $15.1M PY2024
  • US Debt Index Fund Sched. D C $3.7M PY2024
  • Milliman, Inc. codes 11 PY2024
  • Milliman, Inc. codes 11 50 $202,378 PY2023
  • Bank of America codes 21 50 62 $74,343 PY2023
  • Blackrock Institutional Trust Co. codes 21 24 28 50 51 $60,098 PY2023
  • Kelley Drye codes 29 50 $40,983 PY2023
  • Mcdermott Will & Emery LLP codes 29 50 $31,989 PY2023
  • Intermediate Agg Bond Index Fund Sched. D C $14.7M PY2023
  • Eafe Equity Index Fund Sched. D C $26.3M PY2023
  • Russell 3000 Index Fund Sched. D C $51.1M PY2023
  • Long Govt/credit Bond Index Fund Sched. D C $53.6M PY2023
  • US Debt Index Fund Sched. D C $3.7M PY2023
  • Milliman, Inc. codes 11 PY2023
  • Milliman, Inc. codes 11 50 $265,260 PY2022
  • Blackrock Institutional Trust Co. codes 21 24 28 50 51 $119,759 PY2022
  • Bank of America codes 21 50 62 $82,801 PY2022
  • Kelley Drye codes 29 50 $77,122 PY2022
  • Intermediate Agg Bond Index Fund Sched. D C $14.0M PY2022
  • US Debt Index Fund Sched. D C $3.5M PY2022
  • Eafe Equity Index Fund Sched. D C $26.2M PY2022
  • Russell 3000 Index Fund Sched. D C $47.1M PY2022
  • Long Govt/credit Bond Index Fund Sched. D C $49.9M PY2022
  • Milliman, Inc. codes 11 PY2022
What changed
4 events
  • Jan 1, 2024Funded status changed
    Maimonides Medical Center Pension Plan funded ratio 80.8% -> 84.2% (2023-01-01 to 2024-01-01)
  • Dec 31, 2023Assets changed
    Maimonides Medical Center Pension Plan total assets $142M -> $157M (+10.1%, 2022-12-31 to 2023-12-31)
  • Jan 1, 2023Funded status changed
    Maimonides Medical Center Pension Plan funded ratio 97.4% -> 80.8% (2022-01-01 to 2023-01-01)
  • Jan 1, 2023Assets changed
    Maimonides Medical Center Pension Plan plan assets $195M -> $142M (-26.8%, 2022-01-01 to 2023-01-01)
Board record: approvals, recommendations, searches, terminations and re-up prospects for this system.
Provenance
Identifiers: EIN-PN 111635081-005
Cross-graph: no entry on another DFX graph
First observed Sep 15, 2026, last observed Sep 15, 2026. Classification confirmed. Every row above carries its source; a reported figure is the subject’s own, a derived one is arithmetic on reported figures, an estimated one is a model or a survey imputation and is never summed into a headline.